Graphical user interface to track dynamic data
Abstract
Disclosed are methods and systems of displaying graphical user interfaces (GUIs) that illustrate various offering analytics and insights. The GUI display selectable graphical components representing attributes of maturity bonds, wherein when a user interacts with a first graphical component corresponding to a first maturity bond, the server dynamically updates a second section of the GUI. The second section of the GUI displays time periods corresponding to a maturity date for the first maturity bond, wherein the server displays a vertical bar for each time period, a height of the vertical bar indicating a value of the maturity bond, wherein each vertical bar is divided into two areas a first area corresponding to a competitive sale of the first maturity bond, and a second area corresponding to a negotiated sale of the first maturity bond.
Claims
exact text as granted — not AI-modifiedWhat is claimed is:
1. A method of displaying a graphical user interface on an electronic device, the method comprising:
displaying, by a processor on the graphical user interface, a plurality of selectable graphical components representing a plurality of maturity bonds, wherein when a user interacts with a graphical component corresponding to a maturity bond, the processor dynamically updates the graphical user interface by:
displaying, in a graph of the graphical user interface, a first line corresponding to the maturity bond offered at a first time, the first line having a set of first points where each first point corresponds to a first axis that corresponds to a difference between credit spread values of the maturity bond compared with a benchmark and a second axis that corresponds to time; and
displaying, in the graph of the graphical user interface, a second line corresponding to the maturity bond offered at a second time, the second time corresponding to an offer for the maturity bond that occurred prior to the first time, the second line having a set of second points where each second point corresponds to the first axis and the second axis, each second point of the set of second points corresponding to a respective first point of the first set of points.
2. The method of claim 1 , wherein the second axis identifies different maturity dates or amortization for the maturity bond.
3. The method of claim 1 , further comprising:
displaying, by the processor, a graphical indicator corresponding to a price for the maturity bond.
4. The method of claim 3 , wherein the graphical indicator corresponds to a tranche.
5. The method of claim 3 , wherein the graphical indicator is updated based on at least one order received.
6. The method of claim 1 , further comprising:
displaying, by the processor, an attribute associated with the maturity bond, the attribute corresponding to at least one of a maturity date, par amount, balance, pricing, coupons, third-party spreads, or tax yield.
7. The method of claim 1 , wherein the first line is visually distinct from the second line.
8. The method of claim 1 , further comprising:
displaying, by the processor, a graphical indicator corresponding to a negotiated or competitive sale associated with the maturity bond.
9. The method of claim 1 , further comprising:
displaying, by the processor, a graphical indicator corresponding to at least one offer received.
10. A system comprising:
a server comprising a processor and a non-transitory computer-readable medium containing instructions that when executed by the processor causes the processor to perform operations comprising:
displaying, on a graphical user interface, a plurality of selectable graphical components representing a plurality of maturity bonds, wherein when a user interacts with a graphical component corresponding to a maturity bond, the processor dynamically updates the graphical user interface by:
displaying, in a graph of the graphical user interface, a first line corresponding to the maturity bond offered at a first time, the first line having a set of first points where each first point corresponds to a first axis that corresponds to a difference between credit spread values of the maturity bond compared with a benchmark and a second axis that corresponds to time; and
displaying, in the graph of the graphical user interface, a second line corresponding to the maturity bond offered at a second time, the second time corresponding to an offer for the maturity bond that occurred prior to the first time, the second line having a set of second points where each second point corresponds to the first axis and the second axis, each second point of the set of second points corresponding to a respective first point of the first set of points.
11. The system of claim 10 , wherein the second axis identifies different maturity dates or amortization for the maturity bond.
12. The system of claim 10 , wherein the instructions further cause the processor to display a graphical indicator corresponding to a price for the maturity bond.
13. The system of claim 12 , wherein the graphical indicator corresponds to a tranche.
14. The system of claim 10 , wherein the instructions further cause the processor to display an attribute associated with the maturity bond, the attribute corresponding to at least one of a maturity date, par amount, balance, pricing, coupons, third-party spreads, or tax yield.
15. The system of claim 10 , wherein the first line is visually distinct from the second line.
16. The system of claim 10 , wherein the instructions further cause the processor to display a graphical indicator corresponding to a negotiated or competitive sale associated with the maturity bond.
17. The system of claim 10 , wherein the instructions further cause the processor to display a graphical indicator corresponding to at least one offer received.
18. A system for displaying a graphical user interface on an electronic device, the system comprising:
the electronic device configured to display the graphical user interface; and
a server in communication with the electronic device, the server configured to:
display on the graphical user interface, a plurality of selectable graphical components representing a plurality of maturity bonds, wherein when a user interacts with a graphical component corresponding to a maturity bond, the server is configured to dynamically update the graphical user interface by:
displaying, in a graph of the graphical user interface, a first line corresponding to the maturity bond offered at a first time, the first line having a set of first points where each first point corresponds to a first axis that corresponds to a difference between credit spread values of the maturity bond compared with a benchmark and a second axis that corresponds to time; and
displaying, in the graph of the graphical user interface, a second line corresponding to the maturity bond offered at a second time, the second time corresponding to an offer for the maturity bond that occurred prior to the first time, the second line having a set of second points where each second point corresponds to the first axis and the second axis, each second point of the set of second points corresponding to a respective first point of the first set of points.
19. The system of claim 18 , wherein the second axis identifies different maturity dates or amortization for the maturity bond.
20. The system of claim 18 , wherein the first line is visually distinct from the second line.Join the waitlist — get patent alerts
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